2015年8月25日基金定投收益一覽表:
基金代碼基金簡稱單位淨值日期近一年定投收益近兩年定投收益近三年定投收益近五年定投收益100056富國低碳環保混合2.428008-2445.14%81.39%108.61%-040035華安逆向策略混合1.954008-2434.16%70.25%100.83%-630010華商價值精選混合2.439008-2420.69%61.35%98.83%-470009匯添富民營活力混合2.598008-2420.40%59.69%96.68%139.36%163412興全輕資產混合(LOF)1.9908-2421.00%48.95%88.14%-519977長信可轉債債券A1.227408-2428.92%70.88%88.13%-519110浦銀安盛价值成長混合1.8908-248.35%51.84%84.82%105.64%163406興全合潤分級混合2.217108-2424.35%55.29%84.04%101.31%630005華商動態阿爾法2.347008-2417.74%48.97%83.84%105.37%080012長盛電子信息產業混合1.842008-248.60%38.52%81.70%-
最新评论